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最优货币政策和最优金融稳定政策的一般均衡分析
[General equilibrium analysis of the optimal monetary policy and the optimal financial stability policy]

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  • guo, min
  • zhao, jizhi
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    Abstract

    本文建立一个含有商业银行风险承担意愿的一般均衡模型,同时,将货币政策目标和金融稳定目标纳入统一的政策目标分析框架。理论模型的分析结果表明:在单一货币政策目标的情况下,货币政策与金融稳定政策具有完全替代性;当且仅当货币政策和金融稳定政策充分协调时,才能实现物价稳定和金融稳定的政策效果。

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    File URL: http://mpra.ub.uni-muenchen.de/48143/
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    Bibliographic Info

    Paper provided by University Library of Munich, Germany in its series MPRA Paper with number 48143.

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    Date of creation: 09 Jul 2013
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    Handle: RePEc:pra:mprapa:48143

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    Keywords: 货币政策 金融稳定 风险承担 一般均衡;

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    1. Collard, F. & Dellas, H. & Diba, B. & Loisel, O., 2012. "Optimal Monetary and Prudential Policies," Working papers, Banque de France 413, Banque de France.
    2. Olivier Blanchard & Giovanni Dell'Ariccia & Paolo Mauro, 2010. "Rethinking Macroeconomic Policy," Journal of Money, Credit and Banking, Blackwell Publishing, Blackwell Publishing, vol. 42(s1), pages 199-215, 09.
    3. Angeloni, Ignazio & Faia, Ester, 2013. "Capital regulation and monetary policy with fragile banks," Journal of Monetary Economics, Elsevier, Elsevier, vol. 60(3), pages 311-324.
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